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Interest rate and liquidity risk management and the European money supply process. (2001). Nautz, Dieter ; Mitusch, Kay .
In: Journal of Banking & Finance.
RePEc:eee:jbfina:v:25:y:2001:i:11:p:2089-2101.

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Cited: 7

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Cites: 15

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Cocites: 50

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  1. Post-Crisis Bank Liquidity Risk Management Disclosure. (2011). Asongu, Simplice.
    In: Working Papers of the African Governance and Development Institute..
    RePEc:agd:wpaper:10/002.

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  2. Microfondements du canal étroit du crédit bancaire : le motif de précaution. (2009). Ramos-Tallada, Julio .
    In: Economics Papers from University Paris Dauphine.
    RePEc:dau:papers:123456789/4726.

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  3. Microfondements du canal étroit du crédit bancaire : le motif de précaution. Modèle de comportement d’une banque confrontée à un risque de liquidité et à une offre de financement externe imp. (2009). Ramos-Tallada, Julio .
    In: Economics Papers from University Paris Dauphine.
    RePEc:dau:papers:123456789/3327.

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  4. Bank loan supply and monetary policy transmission in Germany: An assessment based on matching impulse responses. (2006). Wollmershäuser, Timo ; Mayer, Eric ; Hülsewig, Oliver ; Wollmershauser, Timo ; Hulsewig, Oliver.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:30:y:2006:i:10:p:2893-2910.

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  5. Bank Loan Supply and Monetary Policy Transmission in Germany: An Assessment Based on Matching Impulse Responses. (2005). Wollmershäuser, Timo ; Mayer, Eric ; Hülsewig, Oliver ; Wollmershauser, Timo ; Hulsewig, Oliver.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_1380.

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  6. Bank Loan Supply and Monetary Policy Transmission in Germany: An Assessment based on Matching Impulse Responses. (2004). Wollmershäuser, Timo ; Mayer, Eric ; Hülsewig, Oliver ; Wollmershauser, Timo ; Hulsewig, Oliver.
    In: W.E.P. - Würzburg Economic Papers.
    RePEc:zbw:wuewep:54.

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  7. The response of long-term interest rates to news about monetary policy actions: Empirical evidence for the U.S. and Germany. (1999). Wolters, Juergen ; Nautz, Dieter.
    In: Review of World Economics (Weltwirtschaftliches Archiv).
    RePEc:spr:weltar:v:135:y:1999:i:3:p:397-412.

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References

References cited by this document

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  12. Ormiston, M.B. First and second degree transformations and comparative statics under uncertainty. 1992 International Economic Review. 33 33-44

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  15. Wong, K.P. On the determinants of bank interest margins under credit and interest rate risks. 1997 Journal of Banking and Finance. 21 25-171
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  2. Dynamic balance sheet model with liquidity risk. (2016). Halaj, Grzegorz ; Haaj, Grzegorz.
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  4. Bank balance sheet dynamics under a regulatory liquidity-coverage-ratio constraint. (2012). VanHoose, David ; Balasubramanyan, Lakshmi.
    In: Working Papers (Old Series).
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  5. Call-pricing equity returns and default risks of entry mode with brand perception in retail banking. (2012). Chang, Chuen-Ping ; Tsai, Jeng-Yan .
    In: International Review of Economics & Finance.
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  6. The vanishing role of money in the macro-economy: An empirical investigation for India. (2011). Dubey, Amlendu Kumar ; Nachane, D. M..
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  7. The Demand for Excess Reserves in the Euro Area and the Impact of the Current Credit Crisis. (2010). Sol Murta, Fátima ; Garcia, Ana Margarida ; Fatima Teresa Sol Murta, .
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  8. Excess Liquidity and the Foreign Currency Constraint: The Case of Monetary Management in Guyana. (2008). Khemraj, Tarron.
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  12. Capital Account Controls, Bank’s Efficiency, Growth and Macroeconomic Volatility in the FLAR’s Member Countries?. (2006). Rincon-Castro, Hernan ; Mora, Humberto .
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    In: Journal of Banking & Finance.
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  43. Risk taking by banks and captial accumulation: A portfolio approach. (1991). Neuberger, Doris.
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